Insider Trading: Critical Legal Issues
About
This Course
The act of insider trading has roots in over a century of US history, though the law in this area continues to evolve. Last July, the SEC brought its first insider trading case in which it alleged crypto assets are securities and that former employees of a cryptocurrency exchange had engaged in insider trading practices. The federal district court dismissed the SEC’s complaint. Several months later, Coinbase filed a suit against the SEC to compel the agency to explain its criteria for defining a digital asset as a security. Understanding how the SEC views the application of its rules to developments such as crypto assets is helpful for practitioners to understand how best to advise their clients.
This program is designed for all levels of practicing attorneys to explain the current state of insider trading law and offer insight into how enforcement in this area has adapted to changing behaviors and technology. Practitioners will also learn best practices and engage in a discussion regarding current enforcement trends.
Learning Objectives:
- Analyze the law of insider trading
- Understand the implications of new rules from the SEC
- Evaluate the best compliance practices to avoid potential enforcement actions
- Explore the context of current and future criminal and civil enforcement priorities for insider trading cases
About the Presenters
Ilana Sinkin, Esq.
Norton Rose Fulbright US LLP
Practice Area: Corporate & Securities
Ilana Sinkin is a Senior Counsel in Norton Rose Fulbright's Washington, D.C. office, where she focuses her practice on regulatory and government investigations, white collar criminal defense, compliance, and internal investigations for both corporations and individuals. Ilana has experience in a broad range of government and internal investigations, including investigations related to anti corruption laws such as the US Foreign Corrupt Practices Act ("FCPA") and the UK Bribery Act ("UKBA"), sanctions and export control, securities enforcement, insider trading, financial fraud, the False Claims Act, and market manipulation. Ilana also has experience designing and implementing anticorruption, sanctions, and export control compliance policies ...
View DetailsKevin Harnisch, Esq.
Norton Rose Fulbright US LLP
Practice Area: Corporate & Securities (+ 1 other areas)
Kevin J. Harnisch joined Norton Rose Fulbright in November 2015. He serves as Head of White-Collar and Co-Head of Regulation, Investigations, Securities, and Compliance (RISC), United States.Kevin is a litigator who defends clients before the United States Securities and Exchange Commission (SEC), FINRA and other self-regulatory organizations, the Department of Justice, the US Commodity Futures Trading Commission (CFTC), US attorney's offices, and the federal courts. He handles matters relating to securities enforcement defense, internal investigations, and anti-corruption issues, and he represents corporations and their directors and officers, broker-dealers, hedge funds, private equity funds, and investment banks.Kevin served as a Branch Chief ...
View DetailsMikkaela Salamatin, Esq.
Norton Rose Fulbright US LLP
Practice Area: Corporate & Securities
Mikkaela Salamatin is an associate in Norton Rose Fulbright's New York office. She has a broad range of education and experience in the public and private sectors.She has experience with cross-border government and internal investigations, including investigations related to anti-corruption laws such as the US Foreign Corrupt Practices Act ("FCPA"), securities laws, financial fraud, and sanctions and export controls. Mikkaela also has experience with building and reviewing compliance programs on these issues.Prior to joining the firm, Mikkaela had previously interned with the US Army (JAG), the US State Department (NATO), and the US Securities and Exchange Commission (Enforcement Division, Cyber ...
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